Corporate Treasury Accountant
Listed on 2026-07-05
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Finance & Banking
Risk Manager/Analyst, Corporate Finance, Financial Compliance, Financial Manager
About Groma
Groma is blending real estate and technology to unlock a new real estate asset class while making it easier for everyone, from institutional investors to the residents in our buildings, to participate in ownership. Our property technology platform uses AI to bring new efficiencies to the small unit count multifamily sector, enabling us to efficiently acquire, upgrade, and operate these 2-20 unit multifamily buildings and bring institutional performance to this massive but historically overlooked sector.
Our investor technology platform makes owning these assets accessible to a broad array of investors, with bespoke vehicles available to institutional and family office investors and our flagship vehicle, the blockchain-powered GromaREIT, available to everyone, with a special focus on enabling ownership for the residents in our buildings. Visit to learn more about us.
This role is responsible for the comprehensive management of the company's treasury and financial operations. The ideal candidate will oversee liquidity and cash management, ensuring the business has the necessary funds while optimizing their use. They will also manage debt and capital, maintain strong banking relationships, and conduct sophisticated financial modeling and forecasting to support strategic decisions. The position involves key responsibilities such as managing day‑to‑day treasury functions, ensuring regulatory compliance, and identifying process improvements for efficiency and cost savings.
Additionally, the role includes managing tenant deposits, supporting audits, and handling investor subscriptions and redemptions, ensuring all financial activities are well‑governed and compliant.
- Liquidity Management:
Oversee daily cash management operations, ensuring adequate liquidity to support business operations while optimizing cash utilization. - Debt and Capital Management:
Manage debt payments, borrowings, and compliance with debt covenants, ensuring strategic alignment with financing agreements. - Banking Relationships:
Manage relationships with banking partners, open and negotiate banking services, and ensure compliance with financial agreements. - Financial Modeling:
Conduct comprehensive financial modeling, scenario analysis, and liquidity forecasting to guide strategic decision‑making around capital allocation, debt management, and financing alternatives. - Cash Management:
Manage day‑to‑day treasury functions including cash strategies, corporate borrowing, investing, cash flow forecasting, cash receipts, cash disbursements and account reconciliations. - Tenant Deposit Management:
Manage day‑to‑day tenant deposit transactions to ensure compliance with state and local regulations. Consider optimizations. - Process Improvement:
Identify opportunities for cost savings, automation, and process enhancements including AI‑driven forecasting and account reconciliation automation. - Governance & Compliance:
Develop, implement, and maintain necessary governance documentation including policies, procedures, controls, and process flows over treasury activities. - Banking Services Optimization:
Define strategy for and manage all banking services and fees, including credit card processing fees and corporate credit‑card program. - Audit Support:
Assist with the preparation of audit support and compliance documentation. - Replacement Reserve and Lending Facility:
Manage internal replacement reserves, helping to determine contribution levels, disbursements and target balances. Operate intercompany lending facilities, determining loan capacity, repayment, and recording interest for both borrower and lender. - Fund Administration Support:
Process investor subscriptions, redemptions, and transfers, ensuring accurate and timely execution of capital movements while maintaining proper documentation and compliance with fund terms.
- Bachelor's degree in a related field or equivalent practical experience, Masters Degree or professional certification (e.g. CTP) is a plus.
- 3+ years of relevant work experience in a corporate treasury, cash management, or similar financial role.
- Strong knowledge of financial modeling,…
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